JP:1333Cash flow

Market cap
¥198.3B
P/E ratio
11.3x
2013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization2,5362,88713,61414,60313,96214,68614,93015,19016,16616,37215,08316,21617,328
Cash from operations 6,343-3,98017,88930,61625,96929,73716,18739,17833,36119,249-2453,60439,179
Capital expenditures-2,140-3,019-13,140-20,400-14,462-19,864-17,425-24,132-22,771-14,818-20,359-16,666-19,003
Cash from investing 1,580-6,765-7,087-20,303-11,097-14,975-11,854-22,445-11,996-10,258-23,860-18,927-1,886
Payments for dividends -2,200--1,608-1,572-1,573-2,359-2,098-2,098-2,096-2,097-2,883-5,038-5,037
Repurchases of common stock---20-8-16-12-15-5-5-4-5,381-266-6
Proceeds from issuance of term debt, net24,80612,22937,21534,47058,57738,12336,65730,31728,37033,85361,22232,09441,249
Repayments of term debt-25,962-8,003-38,483-40,022-45,779-33,379-34,474-25,794-29,112-46,481-48,360-51,646-57,053
Cash from financing -7,43510,345-10,748-12,127-13,618-13,314-7,863-7,132-10,812-17,20030,288-32,943-29,352